
Foreign institutional investors, or FIIs, continue to remain cautious on Indian equities due to global uncertainty, rising crude oil concerns, and rupee weakness. Yet, despite sustained foreign selling, Indian markets have shown remarkable resilience. Gaurang Shah, Sr. VP, Geojit Investments explain how strong domestic institutional buying, improving sentiment, and market recovery signals are helping stabilise the markets. With the Nifty rebounding sharply from lower levels, investors are now closely watching whether FII selling pressure will ease in the coming months.